Prediction Case File
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Fabrinet Stock Prediction and Forecast [FN]

1 extracted signal · 1 resolved · 0 still active

StockInvest.us profile imageStockInvest.us04 Nov 2025, 04:46 UTC
Video preview for Fabrinet Stock Prediction and Forecast [FN]
Signals
1
Eligible signals in this source
Open
0
Still being tracked
Resolved
1
Evaluable outcomes
Successful
0
Canonical correct result
Failed
1
Canonical failed result
Resolved success
0%
Open and excluded signals omitted
Source overview

AI-generated source summary

The analysis ranks Fabrinet as a 'Buy Candidate' with a score of 4.392, indicating a 24.77% gain over 47 days, averaging 0.53% daily. The stock is in a robust short-term upward trend, positioned near its upper band. A breakout above $449.32 could signify a stronger rate of increase. Over the next three months, a potential change of approximately 34.47% is projected, with returns ranging from 11.96% to 36.39%. For the next 12 months, a 70.76% change is suggested, placing the future price between $466.97 and $761.83. The last trading day saw the stock close at $443.00, up 0.552%, with a fluctuation of 3.59%. Trading volume increased, signifying a positive technical trend. News highlights include exceeding fiscal Q1 2026 revenue and earnings, a 'Moderate Buy' consensus from brokerages, and recent leadership changes, including the retirement of Tom Mitchell and appointment of Caroline Dowling. Technical signals show buy signals from both short-term (MACD, Bollinger, Cross MA) and long-term (Long MA, Cross MA) moving averages. However, pivots indicate a sell signal. Volume is rising with price, considered a good technical signal. A sell signal was issued from a pivot top on October 29, 2025, with a subsequent decline of 0.207%. Support levels are identified at $362.16 and $355.53. The stock exhibits medium daily movements with a medium risk. The RSI14 is at 78, increasing risk substantially. A pivot top sell signal was found 3 days ago. The recommended stop-loss is $427.45 (-3.51%). The price-to-earnings ratio is 47.68. Future performance depends on order visibility, margin stability, and management's ability to navigate margin pressures and capital allocation.

AI-generated summary based on the source content.

Case timeline

Evidence and evaluation progress

  1. Original source published

    The analyst published the original source item.

  2. First prediction resolved

    The first evaluable outcome in this case reached a terminal result.

  3. Case evaluation completed

    All evaluable predictions in this case reached terminal outcomes.

  4. Source recorded by Tahlil Plus

    The public source was preserved as the evidence record for this case.

  5. Market predictions extracted

    1 eligible signal linked to this case.

  6. Outcome tracking started

    Tahlil Plus began monitoring the extracted predictions.

Extracted intelligence

Signals in this source

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Analyst history

StockInvest.us

Tracked signals
1521
Historical success
43.3%
Methodology & disclosure

Tahlil Plus independently records and evaluates public market predictions. Extraction may be AI-assisted and results follow the Tahlil Plus methodology. This information is not financial advice.